Client Accountant Job in Dubai UAE

Client Accountant Job in Dubai UAE

Company          : Savills

Location           : Dubai, UAE

Timing               : Full time

 

JOB DESCRIPTION

  • Reporting to clients (standard and client specific reporting) ensuring all SLAs and KPIs are adhered to
  • Ensure accurate reconciliation of income and expenditure
  • Point of contact for client queries, providing support and advice where necessary
  • Internal point of contact for staff working closely to ensure all client deliverables are met
  • Maintain/Oversee cleaning of property & leases data on financial database
  • Assist with ad hoc tasks as and when required
  • Management of client and property cash-flow and funding
  • Annual property budget reviews and engage with Property Manager and FM Team to ensure completion within best practice criteria
  • Compliance with Savills policies and procedures
  • Attend customer and internal meetings as and when required

QUALIFICATION AND EXPERIENCE

  • Bachelor’s degree in accounting, Finance, or a related field
  • Fluent speaker of the English language
  • 5+ years experience in accounting, with a strong emphasis on account and bank reconciliation.

 

REQUIREMENTS

  • Comprehensive understanding of accounting principles and practices, particularly related to reconciliation processes.
  • Proficiency in utilising accounting software for reconciliation purposes, such as QuickBooks, SAP, Oracle, Yardi etc
  • Demonstrated ability to reconcile complex accounts and identify discrepancies with meticulous attention to detail.
  • Proficient in conducting bank reconciliations, including matching transactions, investigating variances, and resolving discrepancies.
  • Strong analytical skills to interpret financial data and reconcile discrepancies effectively.
  • Excellent problem-solving abilities, with the capacity to resolve reconciliation issues efficiently and independently.
  • Effective communication skills to collaborate with internal teams and external stakeholders regarding reconciliation matters.
  • Commitment to maintaining confidentiality and integrity in handling sensitive financial information.

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